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The Société Générale group has significant expertise in terms of economic and financial analysis, research and forecasting, based on 3 specific research areas : monthly economic analysis, providing an in-depth view on short and medium-term trends in OECD countries, credit and equity research and economic research dedicated to the Asset Management business.

Third party asset management rests on economic and strategic buy-side research dedicated to the specific requirements of the fund managers. This research is produced independently from that of the other research teams in the Société Générale group.

Over 200 strategists, economists and analysts located at the core of the world’s main investment markets (United States, United Kingdom, Continental Europe and Asia) provide SG Asset Management with major expertise across all markets and asset classes.

The quality of this research, integrated into stringent, coherent investment processes, represents one of the best guarantees of effective management, tailored to reflect the risk profile of each client.

This research is not published, as it is intended for the fund managers and for use by the clients of SG Asset Management. However "Our experts’ view" provides monthly analysis by SG Asset Management on a selected macro-economic issue and is available on the sgam.fr website.
 
For further information about SG AM : www.sgam.com

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